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businessDec 24, 202531:42pending

Bad Year for Mike's Portfolio?

About this episode

Mike opens the books on his 2025 performance: ~8–9% up vs. a ~20% blended benchmark (50% CA / 50% US). He owns the underperformance, walks through the trades he's already made, and reaffirms the rules he's followed since 2010. No panic—just process.

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YouTube: http://bit.ly/2Zs6r1r
FB: http://bit.ly/2Z7Q5gF
Blossom: @thedividendguy
X: @TheDividendGuy
DividendStocksRock.com
Retirement Loop

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Bad Year for Mike's Portfolio?

The Dividend Guy Blog Podcast

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